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FP&A Manager

IndiMade Brands
FULL_TIME Remote · US Independence, Township of Blue, US Posted: 2026-05-11 Until: 2026-07-10
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Job Description
Position Summary IndiMade Brands is seeking a Manager of Financial Planning & Analysis to join its finance team. This is a hands-on, high-impact role for a finance professional who thrives in the details and understands how supply chain dynamics, inventory management, and short-cycle forecasting connect to financial outcomes. The Manager of FP&A will be a key partner to the CFO, owning core planning processes that are essential to how the business runs. Key Responsibilities Budgeting & Forecasting: Own and manage the 13-week cash flow forecast, including weekly updates, variance analysis, and communication of liquidity outlook to finance leadership and Sponsors. Maintain rolling forecast accuracy and continuously refine assumptions based on operational inputs. Play a key role in the annual budget process, building bottoms-up models in partnership with department heads. Maintain rolling forecasts and monthly reforecasts, clearly communicating drivers of change versus prior periods and plan. Develop and maintain variance analyses (actuals vs. budget vs. forecast) with clear, concise commentary. Demand & Inventory Planning: Partner with supply chain and commercial teams to develop and maintain demand forecasts that inform inventory positioning and purchasing decisions. Analyze inventory levels, turns, and aging to identify risks and opportunities; translate findings into actionable financial insights. Support S&OP processes by providing financial context to demand and supply planning reviews. Reporting & Analysis: Prepare and distribute regular financial reporting packages for internal stakeholders. Build and maintain dashboards and KPI trackers that give the business real-time visibility into key metrics. Identify trends, risks, and opportunities through financial analysis and present recommendations to leadership. Candidate Profile Experience: 7-10 years of experience in FP&A, corporate finance, or a related financial planning function. Direct experience managing 13-week cash flow forecasts strongly preferred. Background in demand planning, inventory analysis, or supply chain finance is a meaningful differentiator. Experience in a consumer products, CPG, retail, or multi-brand environment preferred. Skills & Competencies: Strong financial modeling skills with high proficiency in Excel; experience with planning tools (e.g., NetSuite, Adaptive, or similar) a plus. Detail-oriented with the ability to manage multiple workstreams simultaneously. Collaborative working style — comfortable engaging cross-functionally with non-finance partners. Clear communicator who can translate financial data into business-relevant insights. Self-starter who can operate with limited oversight in a dynamic, entrepreneurial environment. Education: Bachelor's degree in Finance, Accounting, Economics, or related field required. MBA or CPA a plus.